Tr?id=566623520170033&ev=PageView&noscript=1

Eccleston Law Blog

Blue Owl Caps Redemptions as Investors Seek Billions in Withdrawals from Private Credit Funds

May 22nd, 2026 at 11:48 AM
Blue Owl Capital faced a sharp rise in redemption requests during the first quarter as investors attempted to withdraw approximately $5.4 billion from two of the firm's largest private credit funds, according to reporting by the Wall Street Journal.
Read More

Edward Jones Faces Federal Privacy Lawsuits Over Alleged Data Sharing With Tech Companies

May 21st, 2026 at 1:18 PM
Edward Jones is facing multiple lawsuits alleging that the firm improperly shared clients' personal and financial information with third-party technology companies for targeted advertising purposes, according to reporting by Financial Planning.
Read More

FINRA Sanctions Ameriprise for Supervisory Failures in Variable Annuity Exchanges

May 20th, 2026 at 10:33 AM
The Financial Industry Regulatory Authority (FINRA) has fined Ameriprise Financial Services and ordered restitution to resolve allegations that the firm failed to adequately supervise certain variable annuity exchange recommendations.
Read More

SEC Fines Ally Invest Advisors Over Undisclosed Robo-Advisor Conflict

May 19th, 2026 at 2:48 PM
The Securities and Exchange Commission (SEC) imposed a $500,000 penalty on Ally Invest Advisors after finding that the firm failed to disclose a material conflict of interest tied to its Cash-Enhanced robo-advisor accounts.
Read More

Federal Court Upholds FINRA's Authority in Alpine Securities Challenge

May 19th, 2026 at 12:04 PM
A federal court has rejected a broad constitutional challenge to the authority of the Financial Industry Regulatory Authority (FINRA), delivering a significant victory for the self-regulator and reinforcing its enforcement framework.
Read More

FINRA Suspends Former Merrill Broker for Misrepresentations in Proof of Funds Letters

May 15th, 2026 at 1:35 PM
FINRA has disciplined a former Merrill Lynch representative after determining that he issued inaccurate and misleading statements about a client’s financial ability to complete a home purchase.
Read More

FINRA Fines J.P. Morgan Securities $3.25 Million Over Supervisory Failures in High-Risk Strategy

May 13th, 2026 at 11:23 AM
The Financial Industry Regulatory Authority (FINRA) has sanctioned J.P.
Read More

UBS Shifts SMA Oversight In-House, Discloses Potential Conflicts

May 12th, 2026 at 12:03 PM
UBS Wealth Management USA has begun restructuring how it manages separately managed accounts ("SMAs"), moving key oversight functions in-house and aligning its model more closely with competitors, according to reporting by AdvisorHub.
Read More

Private Credit Funds Face Rising Redemptions and Valuation Scrutiny

May 11th, 2026 at 1:48 PM
Investor pressure on private credit funds continues to intensify as redemption requests increase and concerns emerge over how firms value underlying loan portfolios.
Read More

SEC Reports Decline in Enforcement Actions as Leadership Refocuses on Investor Harm

May 11th, 2026 at 12:36 PM
The U.S.
Read More

TESTIMONIALS

Previous
Next
Quotes Bigger

The work that you and your team have performed on my behalf is exemplary.

JT

LATEST NEWS AND ARTICLES

1779464913 Law
May 22, 2026
Blue Owl Caps Redemptions as Investors Seek Billions in Withdrawals from Private Credit Funds

Blue Owl Capital faced a sharp rise in redemption requests during the first quarter as investors attempted to withdraw approximately $5.4 billion from two of the firm's largest private credit funds, according to reporting by the Wall Street Journal.

L
May 21, 2026
Edward Jones Faces Federal Privacy Lawsuits Over Alleged Data Sharing With Tech Companies

Edward Jones is facing multiple lawsuits alleging that the firm improperly shared clients' personal and financial information with third-party technology companies for targeted advertising purposes, according to reporting by Financial Planning.

1779287606 Law
May 20, 2026
FINRA Sanctions Ameriprise for Supervisory Failures in Variable Annuity Exchanges

The Financial Industry Regulatory Authority (FINRA) has fined Ameriprise Financial Services and ordered restitution to resolve allegations that the firm failed to adequately supervise certain variable annuity exchange recommendations.